Chad Michael Kohler
Meyer Wilson, LPA
Chad M. Kohler, an associate attorney at Meyer Wilson, LPA, was born in Sidney, Ohio. He attended the University of Dayton and graduated cum laude in 1998 with a B.A. After earning his undergraduate degree, he attended the Case Western Reserve University School of Law and earned his J.D. in 2001.
After graduating from law school, Mr. Kohler focused his practice on business litigation involving contracts, fiduciary relationships, and business torts.
Later, he worked as a stockbroker at one of the nation's largest brokerage firms and obtained his Series 7, 63, and 65 securities licenses. In addition, Mr. Kohler has managed regulatory compliance matters at two SEC-registered investment advisor firms and held the position of Chief Compliance Officer.
Today, Mr. Kohler is in a unique position to represent investors and consumers who have claims against their investment advisors, brokerage firms, and insurance companies.
Mr. Kohler is also an active member of the legal community holding memberships in the
Ohio State Bar Association, the Central Ohio Association for Justice, the Franklin County Democratic Lawyers Club, and the Public Investors' Arbitration Bar Association (PIABA)--a national organization of attorneys who represent investors in securities arbitration disputes.
- Arbitration & Mediation
- Business - Arbitration/Mediation, Consumer - Arbitration/Mediation, Family - Arbitration/Mediation
- Securities Law
- Stockbroker & Investment Fraud
- Ohio
- U.S. District Court Southern District of Ohio
- Associate Attorney
- Meyer Wilson, LPA
- Current
- Case Western Reserve University
- J.D. (2001) | Law
- University of Dayton
- B.A. (1998)
- Honors: graduated cum laude
- Central Ohio Association For Justice
- Member
- Current
- Franklin County Democratic Lawyers Club
- Member
- Current
- Public Investors' Arbitration Bar Association (PIABA)
- Member
- Current
- Ohio State Bar
- Member
- - Current
- Series 7 Securities License
- U.S. Securities and Exchange Commission
- Series 63 Securities License
- U.S. Securities and Exchange Commission
- Series 63 Securities License
- U.S. Securities and Exchange Commission